KCD-Mikrofinanzfonds - III

Objective

The objective of the fund is to achieve capital growth in compliance with the principle of risk spreading. The fund invests at least 51% of its assets worldwide in uncertificated loan receivables from regulated or unregulated microfinance institutions (i. e. from loans granted them by a third party). Additionally, the fund may invest in the whole variety of asset classes (e. g. stocks, bonds, money market instruments, certificated, target funds, time deposits, structured products). Apart from assets related to microfinance istitutions, the fund may also invest in debt instruments of other companies that offer financial service to the poor.

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